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Unit Prices

Vanguard International Shares Index

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

24/10/2019

1.287537

1.285737

23/10/2019

1.279490

1.277702

22/10/2019

1.273850

1.272069

21/10/2019

1.276986

1.275201

18/10/2019

1.271476

1.269699

17/10/2019

1.280993

1.279202

16/10/2019

1.290736

1.288931

15/10/2019

1.287957

1.286157

14/10/2019

1.275143

1.273360

11/10/2019

1.272389

1.270610

10/10/2019

1.262888

1.261123

09/10/2019

1.260704

1.258941

08/10/2019

1.251144

1.249395

04/10/2019

1.264423

1.262656

03/10/2019

1.254457

1.252703

02/10/2019

1.256511

1.254754

01/10/2019

1.278887

1.277099

30/09/2019

1.281881

1.280089

27/09/2019

1.273859

1.272078

26/09/2019

1.280248

1.278458

25/09/2019

1.282059

1.280267

24/09/2019

1.272761

1.270982

23/09/2019

1.283298

1.281504

20/09/2019

1.285239

1.283443

19/09/2019

1.284867

1.283070

18/09/2019

1.275055

1.273272

17/09/2019

1.272451

1.270672

16/09/2019

1.268444

1.266671

13/09/2019

1.269915

1.268140

12/09/2019

1.269402

1.267627